BOFIT Discussion Papers
From Bank of Finland, Institute for Economies in Transition Bank of Finland, BOFIT, P.O. Box 160, FI-00101 Helsinki, Finland. Contact information at EDIRC. Bibliographic data for series maintained by Minna Nyman (). Access Statistics for this working paper series.
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- 10/2005: Bank supervision Russian style: rules versus enforcement and tacit objectives

- Sophie Claeys, Gleb Lanine and Koen Schoors
- 10/2004: Estimating the determinants of foreign direct investment inflows: how important are sampling and omitted variable biases?

- Yuko Kinoshita and Nauro Campos
- 10/2003: Taxation, growth and welfare: Dynamic effects of Estonia's 2000 income tax act

- Michael Funke and Holger Strulik
- 10/2002: Transition in FSU and sub-Saharan countries: The role of institutions

- Juhani Laurila
- 10/2001: Currency crises in emerging markets: Capital flows and herding behaviour

- Tuomas Komulainen
- 10/2000: A model of Russia's "virtual economy"

- R.E. Ericson and B.W. Ickes
- 9/2020: Sex, language, and financial inclusion

- Francis Osei-Tutu and Laurent Weill
- 9/2019: Does People’s Bank of China communication matter? Evidence from stock market reaction

- Hamza Bennani
- 9/2018: Can media and text analytics provide insights into labour market conditions in China?

- Jeannine Bailliu, Xinfen Han, Mark Kruger, Yu-Hsien Liu and Sri Thanabalasingam
- 9/2017: Trusting banks in China

- Zuzana Fungáčová and Laurent Weill
- 9/2016: Elections, protest and trust in government: A natural experiment from Russia

- Timothy Frye and Ekaterina Borisova
- 9/2015: Monetary policy transmission in China: A DSGE model with parallel shadow banking and interest rate control

- Michael Funke, Petar Mihaylovski and Haibin Zhu
- 9/2014: Switching cost and deposit demand in China

- Chun-Yu Ho
- 9/2013: Effectiveness of whistleblower laws in combating corruption

- Rajeev Goel and Michael Nelson
- 9/2012: Government intervention and institutional trading strategy: Evidence from a transition country

- Yi Yao, Rong Yang, Zhiyuan Liu and Iftekhar Hasan
- 9/2011: Flexible inflation targets, forex interventions and exchange rate volatility in emerging countries

- Juan Carlos Berganza and Carmen Broto
- 9/2010: Does diversification increase or decrease bank risk and performance?: Evidence on diversification and the risk-return tradeoff in banking

- Allen N. Berger, Iftekhar Hasan, Iikka Korhonen and Mingming Zhou
- 9/2009: Do institutions matter?: Estimating the effect of institutions on economic performance in China

- Ying Fang and Yang Zhao
- 9/2008: China and Central and Eastern European countries: regional networks, global supply chain or international competitors?

- K.C. Fung, Iikka Korhonen, Ke Li and Francis Ng
- 9/2007: Dutch desease scare in Kazakhstan: is it real?

- Balázs Égert and Carol S. Leonard
- 9/2006: Biases in cross-spave comparisons through cross-time price indexes: the case of Russia

- Konstantin Gluschenko
- 9/2005: A Ten-year retrospection of the behavior of Russian stock returns

- Stanislav Anatolyev
- 9/2004: Equilibrium exchange rates in the transition: the tradable price-based real appreciation and estimation uncertainty

- Balázs Égert and Kirsten Lommatzsch
- 9/2003: An empirical note on growth and convergence across Russian regions

- Laura Solanko
- 9/2002: Financial sector development in transition economies: Lessons from the first decade

- John Bonin and Paul Wachtel
- 9/2001: Some empirical tests on the integration of economic activity between the Euro area and the accession countries

- Iikka Korhonen
- 9/2000: Causes of repressed inflation in the Soviet consumer market: Retail price subsidies, the sihponing effect and the budget deficit

- Byung-Yeon Kim
- 9/1999: Currency boards in the Baltic countries: What have we learned?

- Iikka Korhonen
- 8/2020: Political cycles and bank lending in Russia

- Zuzana Fungáčová, Koen Schoors, Laura Solanko and Laurent Weill
- 8/2019: The direction and intensity of China’s monetary policy conduct: A dynamic factor modelling approach

- Michael Funke and Andrew Tsang
- 8/2018: Towards increased complexity in Russian regions: networks, diversification and growth

- Ivan Lyubimov, Margarita Gvozdeva and Maria Lysyuk
- 8/2017: Crony banking and local growth in China

- Chunyang Wang
- 8/2016: What slice of the pie? The corporate bond market boom in emerging economies

- Diana Ayala, Milan Nedeljkovic and Christian Saborowski
- 8/2015: Disentangling loan demand and supply shocks in Russia

- Elena Deryugina, Olga Kovalenko, Irina Pantina and Alexey Ponomarenko
- 8/2014: Banking in transition countries

- John Bonin, Iftekhar Hasan and Paul Wachtel
- 8/2013: Monetary policy regimes in CIS economies and their ability to provide price and financial stability

- Marek Dabrowski
- 8/2012: A note on foreign bank entry and bank corporate governance in China

- Iftekhar Hasan and Ru Xie
- 8/2011: China's economic growth engine: The likely types of hardware failure, software failure and power supply failure

- Wing Thye Woo
- 8/2010: The effect of deposit insurance on market discipline: Evidence from a natural experiment on deposit flows

- Alexei Karas, William Pyle and Koen Schoors
- 8/2009: The role of banks in monetary policy transmission: empirical evidence from Russia

- Tuuli Juurikkala, Alexei Karas and Laura Solanko
- 8/2008: International linkage of the Russian market and the Russian financial crisis: a multivariate GARCH analysis

- Kashif Saleem
- 8/2007: Equilibrium exchange rates in oil-dependent countries

- Iikka Korhonen and Tuuli Juurikkala
- 8/2006: Monetary transmission mechanism in Central and Eastern Europe: gliding on a wind of change

- Fabrizio Coricelli, Balázs Égert and Ronald MacDonald
- 8/2005: Exchange rate regimes, foreign exchange volatility and export performance in Central and Eastern Europe: just another blur project?

- Balázs Égert and Amalia Morales-Zumaquero
- 8/2004: Privatization matters: bank efficiency in transition countries

- John P. Bonin, Iftekhar Hasan and Paul Wachtel
- 8/2003: Export variety and economic growth in East European transition economies

- Michael Funke and Ralf Ruhwedel
- 8/2002: Real currency appreciation in accession countries: Balassa-Samuelson and investment demand

- Christoph Fischer
- 8/2001: The endogeneity of optimum currency area criteria, intraindustry trade and EMU enlargement

- Jarko Fidrmuc
- 8/2000: Sequential reform strategy: The case of Azerbaijan

- Juhani Laurila and Rupinder Singh
- 8/1999: Trade and revealed comparative advantage: Hungary, the Czech Republic, and the European Union

- Ville Kaitila
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